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Jangkaan Pulangan Expected Return Kolerasi dengan Sisihan Piawai pasaran Standard Deviation Correlation with market ? % ? % 0.75 4.70% 10.00% 0 Saham Anda Your

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Jangkaan Pulangan Expected Return Kolerasi dengan Sisihan Piawai pasaran Standard Deviation Correlation with market ? % ? % 0.75 4.70% 10.00% 0 Saham Anda Your Stock Bon B Bond B Kadar Risiko Bebas Riskfree Rate Pasaran ETF Market ETF 2.50% 0% 0 14.00% 13.00% 1 Kirakan Beta untuk Portfolio Varians Minima anda. Calculate the Beta of Your Minimum Variance Portfolio (5 markah/marks)

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